Pursuant to the provisions of the Charter of the City of New Rochelle,
the Treasurer is hereby authorized to transfer, on or before December 31 of
each year, to the contingent fund of said year all unencumbered balances of
special appropriations, other than general department appropriations, whenever
the purposes of such special appropriations have been completed; and the said
Treasurer is hereby further authorized to transfer all unexpended balances
in any department appropriation to the general appropriation of the same department
and further to pay out of the general appropriation account of any department
any operating deficits of such department for said year; and the said Treasurer
is further authorized to transfer from the contingent fund, current reserve
account, cash surplus account, or from one item to another, or from one account
to another, in the budget or appropriation of said year to the credit of any
department in which an operating deficit appears and for which no funds in
the department appropriations of such department are available for the payment
of said deficit, the amount of such deficit, all subject to the approval of
the City Manager.